Field Support Services Clerk
• Foster an environment of teamwork and cooperation throughout the company, and must interface closely with other groups and divisions. • Maintain the Cash Management database and prepare daily customer cash orders.
• Maintain vendor cash vaults and prepare daily customer vault reports ensuring each vault is in balance.
• Monitor terminal activity to ensure adequate cash is on hand to meet daily requirements, taking appropriate action when necessary.
• Liaison with customers, Project Management and Sales for cash services.
• Review/Investigate terminal out of balance situations ensuring requirements are met and report suspected trends.
• Monitor customer terminal deposit activity ensuring deposits are processed in accordance with customer’s scope of work.
• Ensure contracted time standards are met.
• Ensure vendors perform their contracted responsibilities and review billing for accuracy.